Blackline Safety Expected Short fall
| BLN Stock | | | 7.00 -0.03 -0.43% |
This technical indicator view for Expected Short fall organizes signals for Blackline Safety Corp and comparable instruments. Coverage varies by data normalization and availability; see
Equity Screeners for broader screening context. Blackline Safety has a market cap of 609.04 M, operating margin of -3.06%, ROE of -12.78%. See
Trending Equities for portfolio-level analysis. This suggests a position in Blackline Safety Corp within the portfolio mix. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as
signals in inflation.
Blackline Safety Corp has current Expected Short fall of 0. Expected shortfall (or ES) is a risk measure that evaluates the market risk of an equity instrument. It is an alternative to value at risk that is more sensitive to the shape of the loss distribution in the tail of the distribution. The expected shortfall at a particular level is the expected return on the portfolio in the worst percent of the cases. Expected shortfall is also called conditional value at risk (CVaR), average value at risk (AVaR), and expected tail loss (ETL).
Expected Shortfall | = | Conditional VAR |
| = | 0 | |
Blackline Safety Expected Short fall Peers Comparison
Blackline Expected Short fall Relative To Other Indicators
Blackline Safety Corp is rated
below average. in expected short fall category among its top competitors. It is currently under evaluation. in maximum drawdown category among its top competitors .
ES evaluates the value (or risk) of an investment in a conservative way, focusing on the less profitable outcomes. For high values of it ignores the most profitable but unlikely possibilities, for small values of it focuses on the worst losses. On the other hand, unlike the discounted maximum loss even for lower values of expected shortfall does not consider only the single most catastrophic outcome. Expected shortfall is a coherent, and moreover a spectral, measure of financial portfolio risk.
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